Browse Articles by Richard Miller



Even good trading strategies experience runs of losses; however, this risk can be minimized by proper position sizing. Richard Miller explains how you can use position sizing to meet this and other objectives. Read More >>

Buying Weakness and Selling Strength

Richard Miller - October 29, 2010
The strategy is simple: buy when everyone else is selling, and sell when everyone else is buying. Richard Miller describes the five rules to this very successful strategy that will help you get into trades with low risks and profitable rewards. Read More >>

Trading Options for Income

Richard Miller - October 25, 2010
A put option acts like an insurance policy for the buyer in much the same way your home insurance protects your home. Richard Miller takes a look at the strategy of buying a put option, as well as, its risks and benefits. Read More >>

Controlling Trade Risk with Position Sizing

Richard Miller - September 28, 2010
This trading strategy, frequently used by Richard Miller, experiences far less downside, upside and variation - plus it makes money steadily. Learn how to use position sizing to mitigate risk. Read More >>

How I Trade Using Both PowerRatings and Fundamentals

Richard Miller - August 12, 2010
Richard Miller merges his fundamental approach with TradingMarkets' PowerRatings to help fully reap the benefits of each trade. Read More >>

Controlling Risk in Short-Term Trading, Part 1

Richard Miller - August 02, 2010
In any well-defined trading strategy, it's a must to include risk control measures to greatly increase the odds of success. Richard Miller outlines a strategy to help you minimize risk through controlling your trade size. Read More >>

How I Apply Connors' RSI(2) to Trading Pullbacks

Richard Miller - June 15, 2010
Richard Miller demonstrates a strategy aimed at applying Larry Connors' RSI(2) approach to trading pullbacks in Wall Street's best stocks. Read More >>

Trading Pullbacks in Wall Street's Best Stocks

Richard Miller - May 24, 2010
In this article, Richard Miller shows you how to be more profitable by trading quality stocks that are pulling back. Read More >>

Intraday Trading High-Quality Stocks, Part 2

Richard Miller - May 11, 2010
Richard Miller introduces the covered-call hedge as he concludes his series on intraday trades. This day-trading strategy can conservatively produce greater than 20 percent annual yields even in today's erratic market. Read More >>

Intraday Trading High-Quality Stocks, Part 1

Richard Miller - May 11, 2010
Each stock has its own natural volatility or wiggle, and knowing how to trade these small fluctuations can give traders a real edge in trading. Tradingmarkets contributor Richard Miller discusses how to apply this strategy to trading high-quality stocks. Read More >>